Treasury Manager

18 Jun 2020

Treasury Manager - Commodities Trading


My partner is a global commodities firm, who are expanding into Asia. They are looking for a Treasury Specialist to support the business as they grow their trading team. They are a multi cultured environment and have growth plans in the region. They have a strong performance in the first half of this year

This role is a sole contributor and will be the sole Treasury expert in the business, for someone that is happy to be hands on in a start-up environment, backed by a large, global and stable business.


  • Forecast and report on cash flow positions
  • Foreign exchange hedging
  • Building and maintain banking relationships and credit lines
  • Liquidity management - short-term and long-term planning
  • Trade Finance
  • Intercompany loan management


  • Degree in Accountancy or equivalent
  • 5 - 7 years' experience in a Treasury role
  • Must be prepared to executive operational Treasury tasks
  • Have proven experience with FX hedging

Danielle Moore - R1987306's picture
Senior Consultant | Accounting & Finance Recruitment
Singapore 6818 3191 |